金融学和随机学是在随机方法的基础上,以及在金融问题分析(特别是概率论、统计学和随机分析)的推动下,在数学中的特定课题上,对金融的各个领域进行研究的学科。《华尔街日报》还发布了有关一般感兴趣的金融主题的调查,如果这些调查清楚地描绘和阐明了工作中的基本思想和技术、不同方法之间的相互关系以及仍然开放的核心问题。此外,金融学和随机学的特点是专门针对快速增长的研究领域中的特定主题。该杂志是一个理想的出版平台,无论是理论和应用金融经济学家使用先进的随机方法和研究人员在随机性的动机,并对金融和保险的应用感兴趣。
Finance and Stochastics presents research in all areas of finance based on stochastic methods as well as on specific topics in mathematics motivated by the analysis of problems in finance (in particular probability theory, statistics and stochastic analysis).The journal also publishes surveys on financial topics of general interest if they clearly picture and illuminate the basic ideas and techniques at work, the interrelationship of different approaches and the central questions which remain open.In addition, Finance and Stochastics features special issues devoted to specific topics in rapidly growing research areas. The journal serves as an ideal publication platform for both theoretical and applied financial economists using advanced stochastic methods and researchers in stochastics motivated by and interested in applications in finance and insurance.
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